Volvo AB
STO:VOLV B

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Volvo AB
STO:VOLV B
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Price: 266.2 SEK -0.56% Market Closed
Market Cap: 541.3B SEK
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Cash Flow Statement

Cash Flow Statement
Volvo AB

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Cash Flow Statement
Currency: SEK
Mar-2020 Jun-2020 Sep-2020 Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024 Sep-2024
Operating Cash Flow
Net Income
56 905
28 026
24 648
27 484
32 177
43 173
45 068
43 074
39 563
41 924
44 391
45 712
54 265
54 982
61 431
66 784
67 834
73 711
69 466
Depreciation & Amortization
25 573
20 970
21 386
20 599
20 154
19 214
19 181
18 720
19 063
19 499
19 725
20 729
20 952
21 265
21 557
21 227
21 285
21 703
21 780
Other Non-Cash Items
(2 724)
1 668
1 905
1 217
697
(3 768)
(3 349)
(998)
4 254
6 510
6 864
6 964
4 274
11 008
11 495
13 842
12 333
5 155
4 418
Cash Taxes Paid
12 521
8 265
7 003
4 927
5 163
7 132
7 677
9 651
8 397
10 106
11 154
11 614
15 400
16 013
17 870
20 807
20 807
20 845
19 580
Cash Interest Paid
1 475
990
1 023
1 102
1 106
805
814
854
893
930
892
856
883
954
1 056
1 158
1 011
1 039
1 073
Change in Working Capital
(42 540)
(28 258)
(13 805)
(18 690)
(15 173)
(9 796)
(32 861)
(27 148)
(39 011)
(46 502)
(29 464)
(40 161)
(42 057)
(50 425)
(70 179)
(75 178)
(66 083)
(63 332)
(53 158)
Cash from Operating Activities
37 214
N/A
22 406
-40%
34 134
+52%
30 610
-10%
37 855
+24%
48 823
+29%
28 039
-43%
33 648
+20%
23 869
-29%
21 431
-10%
41 516
+94%
33 244
-20%
37 434
+13%
36 830
-2%
24 304
-34%
26 675
+10%
35 369
+33%
37 237
+5%
42 506
+14%
Investing Cash Flow
Capital Expenditures
(26 917)
(20 865)
(19 143)
(17 320)
(16 807)
(18 005)
(19 723)
(21 839)
(22 853)
(23 960)
(25 016)
(25 846)
(26 115)
(26 983)
(27 247)
(28 665)
(26 645)
(23 712)
(21 313)
Other Items
9 081
8 187
7 764
7 379
910
21 637
20 685
20 350
26 382
4 435
4 676
4 360
4 265
3 988
2 460
1 820
(4 338)
(6 283)
(4 036)
Cash from Investing Activities
(17 836)
N/A
(12 678)
+29%
(11 379)
+10%
(9 941)
+13%
(15 897)
-60%
3 632
N/A
962
-74%
(1 489)
N/A
3 529
N/A
(19 525)
N/A
(20 340)
-4%
(21 486)
-6%
(21 850)
-2%
(22 995)
-5%
(24 787)
-8%
(26 845)
-8%
(30 983)
-15%
(29 995)
+3%
(25 349)
+15%
Financing Cash Flow
Net Issuance of Debt
17 882
20 937
19 962
7 321
(11 582)
(24 289)
(28 247)
(6 972)
22 761
26 730
36 313
33 981
19 814
23 390
23 891
30 801
32 027
35 200
25 063
Cash Paid for Dividends
0
0
0
0
0
(30 502)
(49 820)
(49 820)
0
(45 753)
(26 435)
(26 435)
(26 435)
(28 468)
(28 468)
(28 468)
(28 468)
(36 602)
(36 602)
Other
9
67
(188)
(877)
(796)
(1 199)
(1 263)
(763)
(640)
(289)
(284)
(63)
(97)
(72)
(313)
(512)
(474)
(460)
(249)
Cash from Financing Activities
(2 444)
N/A
21 004
N/A
19 774
-6%
6 444
-67%
(12 378)
N/A
(55 990)
-352%
(79 330)
-42%
(57 555)
+27%
(27 699)
+52%
(19 312)
+30%
9 594
N/A
7 483
-22%
(6 718)
N/A
(5 150)
+23%
(4 890)
+5%
1 821
N/A
3 085
+69%
(1 862)
N/A
(11 788)
-533%
Change in Cash
Effect of Foreign Exchange Rates
731
(1 481)
(2 438)
(3 368)
(2 033)
(532)
295
2 316
1 545
3 916
4 958
2 520
1 924
866
(1 385)
(2 211)
(387)
(2 297)
(1 988)
Net Change in Cash
17 665
N/A
29 251
+66%
40 091
+37%
23 745
-41%
7 547
-68%
(4 067)
N/A
(50 034)
-1 130%
(23 080)
+54%
1 244
N/A
(13 490)
N/A
35 728
N/A
21 761
-39%
10 790
-50%
9 551
-11%
(6 758)
N/A
(560)
+92%
7 084
N/A
3 083
-56%
3 381
+10%
Free Cash Flow
Free Cash Flow
10 297
N/A
1 541
-85%
14 991
+873%
13 290
-11%
21 048
+58%
30 818
+46%
8 316
-73%
11 809
+42%
1 016
-91%
(2 529)
N/A
16 500
N/A
7 398
-55%
11 319
+53%
9 847
-13%
(2 943)
N/A
(1 990)
+32%
8 724
N/A
13 525
+55%
21 193
+57%

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